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WFCNP WELLS FARGO & COMPANY DIVIDEND EQUALIZATION PFD SHS

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15min DelayTrading Feb 4 16:00 ET
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WELLS FARGO & COMPANY DIVIDEND EQUALIZATION PFD SHS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-92.48%3.04B
-51.08%8.9B
-72.87%4.21B
371.52%2.05B
-263.72%-12.13B
49.21%40.36B
151.24%18.2B
29.04%15.51B
-109.95%-755M
3,621.61%7.41B
Net income from continuing operations
4.92%19.97B
49.94%5.26B
-9.87%5.17B
0.12%4.91B
-5.27%4.62B
42.24%19.03B
20.21%3.51B
60.94%5.74B
64.75%4.9B
24.55%4.88B
Depreciation and amortization
20.52%7.56B
32.80%1.98B
11.65%1.78B
21.13%1.97B
17.20%1.82B
-8.21%6.27B
-5.38%1.49B
-5.50%1.6B
-8.13%1.63B
-13.34%1.55B
Deferred tax
-1,722.00%-911M
170.69%557M
-14,066.67%-838M
-796.21%-919M
-51.83%289M
-104.04%-50M
-203.28%-788M
-99.17%6M
226.92%132M
528.57%600M
Other non cashItems
-321.00%-7.91B
-195.00%-5.99B
240.55%4.31B
-38.47%-3.06B
-223.95%-3.17B
114.89%3.58B
1,033.63%6.3B
68.11%-3.07B
-28.53%-2.21B
121.30%2.56B
Change in working capital
-483.85%-20.27B
9.24%6.27B
-175.47%-7.74B
67.42%-2.24B
-332.52%-16.56B
-82.04%5.28B
288.56%5.74B
-32.53%10.25B
-255.33%-6.88B
-146.10%-3.83B
-Change in payables and accrued expense
-82.19%822M
-131.27%-1.95B
102.42%88M
-18.77%2.57B
109.69%111M
636.63%4.62B
221.05%6.23B
-252.18%-3.63B
360.49%3.17B
-136.78%-1.15B
-Change in other current assets
146.68%3.19B
741.90%4.2B
-405.07%-6.86B
1,027.81%8.91B
59.16%-3.05B
25.37%-6.84B
-143.28%-654M
-27.22%2.25B
87.92%-960M
-28.51%-7.47B
-Change in other working capital
-423.63%-24.29B
2,350.61%4.02B
-108.28%-964M
-51.00%-13.72B
-384.40%-13.62B
-80.97%7.5B
-96.79%164M
19.77%11.64B
-166.84%-9.09B
-56.50%4.79B
Cash from discontinued operating activities
Operating cash flow
-92.48%3.04B
-51.08%8.9B
-72.87%4.21B
371.52%2.05B
-263.72%-12.13B
49.21%40.36B
151.24%18.2B
29.04%15.51B
-109.95%-755M
3,621.61%7.41B
Investing cash flow
Cash flow from continuing investing activities
-197.56%-15.65B
74.85%-1.06B
-376.59%-21.1B
-170.79%-14.58B
365.18%21.1B
137.77%16.04B
73.43%-4.23B
730.03%7.63B
556.99%20.6B
65.35%-7.96B
Net investment purchase and sale
-170.36%-9.89B
23.84%3.57B
-183.81%-5.51B
-127.71%-4.14B
63.31%-3.8B
-26.93%14.05B
-37.90%2.88B
38.51%6.58B
-2.79%14.95B
-87.00%-10.36B
Net proceeds payment for loan
49.70%21.45B
-177.66%-2.62B
115.89%8.06B
1,549.77%3.18B
72.56%12.84B
123.18%14.33B
134.57%3.38B
207.83%3.73B
99.33%-219M
146.52%7.44B
Net other investing changes
-149.36%-193M
148.38%224M
-140.72%-509M
-104.45%-256M
105.66%348M
-51.43%391M
-263.03%-463M
1,744.74%1.25B
1,092.74%5.75B
-5,443.48%-6.15B
Cash from discontinued investing activities
Investing cash flow
-197.56%-15.65B
74.85%-1.06B
-376.59%-21.1B
-170.79%-14.58B
365.18%21.1B
137.77%16.04B
73.43%-4.23B
730.03%7.63B
556.99%20.6B
65.35%-7.96B
Financing cash flow
Cash flow from continuing financing activities
-205.07%-21.53B
85.16%9.93B
-175.99%-29.76B
-15.66%-25.28B
1,182.87%23.57B
134.36%20.49B
125.14%5.37B
1,594.85%39.17B
56.14%-21.86B
77.26%-2.18B
Increase decrease in deposit
152.81%13.63B
432.26%22.16B
-272.37%-16.25B
4.39%-17.25B
216.94%24.97B
73.79%-25.81B
129.38%4.16B
134.91%9.43B
67.89%-18.05B
-1,798.31%-21.36B
Net issuance payments of debt
-112.16%-7.86B
-220.56%-6.29B
-132.25%-10.6B
-4.33%1.59B
-70.07%7.44B
27.38%64.6B
-71.04%5.22B
27.34%32.86B
-78.36%1.66B
3,287.31%24.86B
Net commonstock issuance
-64.10%-19.45B
-70.21%-4B
-132.09%-3.44B
-50.11%-6.01B
-49.43%-6B
-96.44%-11.85B
-39,066.67%-2.35B
-29,500.00%-1.48B
-100,025.00%-4.01B
33.27%-4.02B
Net preferred stock issuance
-28,000.00%-843M
--0
66,666.67%2B
---2B
---840M
---3M
--0
---3M
--0
--0
Cash dividends paid
-5.09%-6.23B
-1.37%-1.63B
-5.02%-1.59B
-6.00%-1.54B
-8.62%-1.47B
-12.03%-5.93B
-9.08%-1.61B
-11.73%-1.51B
-12.85%-1.45B
-15.20%-1.36B
Net other financing activities
-54.03%-784M
-437.50%-301M
192.68%114M
-233.33%-70M
-70.55%-527M
5.57%-509M
-380.00%-56M
-83.58%-123M
-5.00%-21M
34.53%-309M
Cash from discontinued financing activities
Financing cash flow
-205.07%-21.53B
85.16%9.93B
-175.99%-29.76B
-15.66%-25.28B
1,182.87%23.57B
134.36%20.49B
125.14%5.37B
1,594.85%39.17B
56.14%-21.86B
77.26%-2.18B
Net cash flow
Beginning cash position
48.31%236.05B
-15.04%184.13B
49.45%230.78B
71.70%268.6B
48.31%236.05B
-32.05%159.16B
30.98%216.72B
-0.47%154.42B
-22.52%156.43B
-32.05%159.16B
Current changes in cash
-144.41%-34.15B
-8.08%17.77B
-174.89%-46.65B
-1,778.59%-37.82B
1,293.84%32.54B
202.43%76.9B
407.02%19.34B
503.96%62.3B
95.69%-2.01B
91.57%-2.73B
End cash position
-14.47%201.9B
-14.47%201.9B
-15.04%184.13B
49.45%230.78B
71.70%268.6B
48.31%236.05B
48.31%236.05B
30.98%216.72B
-0.47%154.42B
-22.52%156.43B
Free cash flow
-92.48%3.04B
-51.08%8.9B
-72.87%4.21B
371.52%2.05B
-263.72%-12.13B
49.21%40.36B
151.24%18.2B
29.04%15.51B
-109.95%-755M
3,621.61%7.41B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -92.48%3.04B-51.08%8.9B-72.87%4.21B371.52%2.05B-263.72%-12.13B49.21%40.36B151.24%18.2B29.04%15.51B-109.95%-755M3,621.61%7.41B
Net income from continuing operations 4.92%19.97B49.94%5.26B-9.87%5.17B0.12%4.91B-5.27%4.62B42.24%19.03B20.21%3.51B60.94%5.74B64.75%4.9B24.55%4.88B
Depreciation and amortization 20.52%7.56B32.80%1.98B11.65%1.78B21.13%1.97B17.20%1.82B-8.21%6.27B-5.38%1.49B-5.50%1.6B-8.13%1.63B-13.34%1.55B
Deferred tax -1,722.00%-911M170.69%557M-14,066.67%-838M-796.21%-919M-51.83%289M-104.04%-50M-203.28%-788M-99.17%6M226.92%132M528.57%600M
Other non cashItems -321.00%-7.91B-195.00%-5.99B240.55%4.31B-38.47%-3.06B-223.95%-3.17B114.89%3.58B1,033.63%6.3B68.11%-3.07B-28.53%-2.21B121.30%2.56B
Change in working capital -483.85%-20.27B9.24%6.27B-175.47%-7.74B67.42%-2.24B-332.52%-16.56B-82.04%5.28B288.56%5.74B-32.53%10.25B-255.33%-6.88B-146.10%-3.83B
-Change in payables and accrued expense -82.19%822M-131.27%-1.95B102.42%88M-18.77%2.57B109.69%111M636.63%4.62B221.05%6.23B-252.18%-3.63B360.49%3.17B-136.78%-1.15B
-Change in other current assets 146.68%3.19B741.90%4.2B-405.07%-6.86B1,027.81%8.91B59.16%-3.05B25.37%-6.84B-143.28%-654M-27.22%2.25B87.92%-960M-28.51%-7.47B
-Change in other working capital -423.63%-24.29B2,350.61%4.02B-108.28%-964M-51.00%-13.72B-384.40%-13.62B-80.97%7.5B-96.79%164M19.77%11.64B-166.84%-9.09B-56.50%4.79B
Cash from discontinued operating activities
Operating cash flow -92.48%3.04B-51.08%8.9B-72.87%4.21B371.52%2.05B-263.72%-12.13B49.21%40.36B151.24%18.2B29.04%15.51B-109.95%-755M3,621.61%7.41B
Investing cash flow
Cash flow from continuing investing activities -197.56%-15.65B74.85%-1.06B-376.59%-21.1B-170.79%-14.58B365.18%21.1B137.77%16.04B73.43%-4.23B730.03%7.63B556.99%20.6B65.35%-7.96B
Net investment purchase and sale -170.36%-9.89B23.84%3.57B-183.81%-5.51B-127.71%-4.14B63.31%-3.8B-26.93%14.05B-37.90%2.88B38.51%6.58B-2.79%14.95B-87.00%-10.36B
Net proceeds payment for loan 49.70%21.45B-177.66%-2.62B115.89%8.06B1,549.77%3.18B72.56%12.84B123.18%14.33B134.57%3.38B207.83%3.73B99.33%-219M146.52%7.44B
Net other investing changes -149.36%-193M148.38%224M-140.72%-509M-104.45%-256M105.66%348M-51.43%391M-263.03%-463M1,744.74%1.25B1,092.74%5.75B-5,443.48%-6.15B
Cash from discontinued investing activities
Investing cash flow -197.56%-15.65B74.85%-1.06B-376.59%-21.1B-170.79%-14.58B365.18%21.1B137.77%16.04B73.43%-4.23B730.03%7.63B556.99%20.6B65.35%-7.96B
Financing cash flow
Cash flow from continuing financing activities -205.07%-21.53B85.16%9.93B-175.99%-29.76B-15.66%-25.28B1,182.87%23.57B134.36%20.49B125.14%5.37B1,594.85%39.17B56.14%-21.86B77.26%-2.18B
Increase decrease in deposit 152.81%13.63B432.26%22.16B-272.37%-16.25B4.39%-17.25B216.94%24.97B73.79%-25.81B129.38%4.16B134.91%9.43B67.89%-18.05B-1,798.31%-21.36B
Net issuance payments of debt -112.16%-7.86B-220.56%-6.29B-132.25%-10.6B-4.33%1.59B-70.07%7.44B27.38%64.6B-71.04%5.22B27.34%32.86B-78.36%1.66B3,287.31%24.86B
Net commonstock issuance -64.10%-19.45B-70.21%-4B-132.09%-3.44B-50.11%-6.01B-49.43%-6B-96.44%-11.85B-39,066.67%-2.35B-29,500.00%-1.48B-100,025.00%-4.01B33.27%-4.02B
Net preferred stock issuance -28,000.00%-843M--066,666.67%2B---2B---840M---3M--0---3M--0--0
Cash dividends paid -5.09%-6.23B-1.37%-1.63B-5.02%-1.59B-6.00%-1.54B-8.62%-1.47B-12.03%-5.93B-9.08%-1.61B-11.73%-1.51B-12.85%-1.45B-15.20%-1.36B
Net other financing activities -54.03%-784M-437.50%-301M192.68%114M-233.33%-70M-70.55%-527M5.57%-509M-380.00%-56M-83.58%-123M-5.00%-21M34.53%-309M
Cash from discontinued financing activities
Financing cash flow -205.07%-21.53B85.16%9.93B-175.99%-29.76B-15.66%-25.28B1,182.87%23.57B134.36%20.49B125.14%5.37B1,594.85%39.17B56.14%-21.86B77.26%-2.18B
Net cash flow
Beginning cash position 48.31%236.05B-15.04%184.13B49.45%230.78B71.70%268.6B48.31%236.05B-32.05%159.16B30.98%216.72B-0.47%154.42B-22.52%156.43B-32.05%159.16B
Current changes in cash -144.41%-34.15B-8.08%17.77B-174.89%-46.65B-1,778.59%-37.82B1,293.84%32.54B202.43%76.9B407.02%19.34B503.96%62.3B95.69%-2.01B91.57%-2.73B
End cash position -14.47%201.9B-14.47%201.9B-15.04%184.13B49.45%230.78B71.70%268.6B48.31%236.05B48.31%236.05B30.98%216.72B-0.47%154.42B-22.52%156.43B
Free cash flow -92.48%3.04B-51.08%8.9B-72.87%4.21B371.52%2.05B-263.72%-12.13B49.21%40.36B151.24%18.2B29.04%15.51B-109.95%-755M3,621.61%7.41B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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